000 01184nam a2200373Ia 4500
003 OSt
005 20220912145315.0
006 a|||||r|||| 00| 0
007 ta
008 220909b |||||||| |||| 00| 0 eng d
020 _a9780470400937 (hbd)
024 _a115159
037 _b2093, Educational Book Agency (India)
037 _cTextual
040 _aCSL
_beng
_cCSL
041 _aeng
082 _aB28ObX, Q0
100 _aRachev Svetlozar T
245 0 _aProbability and statistics for finance
260 _aNew Jersey
_bWiley
_c2010
300 _axviii, 854p.
_ccm.
490 _aFrank J Fabozzi series
500 _aAppendices A-D, 583-632p.; References 633-634p.; Index 635-654p.
650 _a Finance-statistical methods
650 _a Multivariate analysis
650 _a Probability measures
650 _a Statistics
650 _aStatistics
700 _a Fabozzi Frank J
700 _a Focardi Sergio M
700 _a Hochstotter Markus
942 _hB28ObX, Q0
_cTEXL
_2CC
999 _c28465
_d28465